Lead Managers:
|
Banc of America Securities, Goldman, Sachs & Co., Morgan Stanley & Co, Incorporated | |
Co-Managers:
|
Deutsche Bank Securities Inc., HSBC Securities (USA) Inc., Merrill Lynch, Pierce, Fenner & Smith Incorporated, Wachovia Capital Markets, LLC | |
Issuer:
|
SLM Corporation | |
Note Type:
|
Medium Term Notes, Series A | |
US MTN Program | ||
Ratings:
|
A2/A | |
CUSIP:
|
78442FEF1 | |
USD Amount:
|
$850,000,000 | |
Interest Rate:
|
3 Month USD Libor Telerate + 0.30000% | |
Issue Price:
|
100.00000% | |
Commissions:
|
0.25000% | |
Net Proceeds (%):
|
99.75000% | |
Net Proceeds ($):
|
$847,875,000 | |
Pricing Date:
|
January 8, 2007 | |
Closing Date:
|
January 16, 2007 | |
Maturity Date:
|
January 27, 2014 | |
Call:
|
N/A | |
Call Dates:
|
N/A | |
Redemption Price:
|
N/A | |
Interest Payment Dates:
|
25th of each January, April, July, and October during the terms of the notes, subject to adjustment in accordance with the Following Business Day Convention. | |
1st Payment Date:
|
April 25, 2007 (Interpolation of 3 and 4 month Libor) | |
Rate Determination Date:
|
2 London and New York Business Days prior to the beginning of each interest period. | |
Reset Dates:
|
25th of each January, April, July and October during the terms of the notes, subject to adjustment in accordance with the Following Business Day Convention. | |
Daycount Fraction:
|
Actual/360 | |
Business Day Convention:
|
Following Business Day with adjustment for period end dates. | |
Business Days:
|
New York | |
Minimum Denominations:
|
$1000 minimum and integral multiples of $1,000 in access thereof | |
Calculation Agent:
|
SLM Corporation | |
Indenture Trustee:
|
The Bank of New York |